Luis Herrera
Float Pilot at Apollo MedFlight- Claim this Profile
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Spanish -
Topline Score
Bio
Credentials
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Aircrew Emergency Training
University of Louisiana at LafayetteSep, 2019- Oct, 2024 -
Commercial (FAA)
Federal Aviation AdministrationJun, 2013- Oct, 2024 -
Initial Travel Safely by Boat - 5605
OPITOSep, 2019- Oct, 2024 -
Certified Flight Instructor (Rotorcraft)
Federal Aviation AdministrationMay, 2019- Oct, 2024 -
Tropical Helicopter Underwater Escape Training 5194 w/ Compressed Air Emergency Breathing System
OPITOSep, 2019- Oct, 2024
Experience
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Apollo MedFlight
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United States
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Hospitals and Health Care
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1 - 100 Employee
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Float Pilot
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Nov 2021 - Present
Regional medivac relief pilot. BH407 Capt. with over 1000 experience. Regional medivac relief pilot. BH407 Capt. with over 1000 experience.
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Air Methods
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Airlines and Aviation
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700 & Above Employee
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Line Pilot
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May 2021 - Sep 2021
Safely operation of H130 air ambulance helicopter. Safely operation of H130 air ambulance helicopter.
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PHI Inc
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United Kingdom
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Book and Periodical Publishing
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VFR 407 Line Pilot
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Sep 2019 - May 2021
Experience FAR 135 Line Pilot with over 2160 total helicopter time. Helicopter Experience (HR) • PIC - 1,957 • XC - 549 • Night - 178 • Instructional - 909 • Instrument - 48 • Offshore - 503 Model Experience (HR) • BH407 - 548 • BH206 - 1 • BH206L - 0.5 • R22 - 979 • R44 - 430 • Brantley B2 - 25 Experience FAR 135 Line Pilot with over 2160 total helicopter time. Helicopter Experience (HR) • PIC - 1,957 • XC - 549 • Night - 178 • Instructional - 909 • Instrument - 48 • Offshore - 503 Model Experience (HR) • BH407 - 548 • BH206 - 1 • BH206L - 0.5 • R22 - 979 • R44 - 430 • Brantley B2 - 25
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Deutsche Bank Securities
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Investment Banking
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700 & Above Employee
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Assistant Vice President
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Jul 2014 - Aug 2019
Deutsche Bank USA, Trades Surveillance Jacksonville, FL AVP - Team Lead/Manager (8/2014- Present) • Analyze, identify, and evaluate risk from multiple sources, including surveillance reports and internal audit reports. • Responsible for monitoring and overseeing all Equity, Equity/Policy Lexicons, and Options Surveillance monitoring scenarios. • Assist in responding to inquiries from FINRA or Securities and Exchange Commission. • Develop methodologies to identify, monitor and test areas of compliance risk as it pertains to the bank’s Equity Trading and/or Electronic Communication Surveillance. • Manage a team of analysts to assure the risk monitoring of Trades and Electronic Communication Surveillance through the use of Actimize alert management. • Liaise with IT and New York Surveillance Subject Matter Expert in the creation and enhancements of surveillance scenarios by overseeing the UAT process. • Recommend improvements to compliance and operational procedures. • Identify surveillance gaps and report findings to senior managers in the Bank and provide recommendations as needed. • Continually provide training to the analyst in other to assure proper closure of alerts. • Responsible for creating and overseeing of the Equity Trades Surveillance Key Operating Procedures and Analyst work desktops. Show less
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FINRA
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United States
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Financial Services
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700 & Above Employee
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Analyst III
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Jan 2008 - Aug 2014
Regulatory Analyst I/II/III (1/2008- 7/2014) • Conduct in-depth and timely investigations of trading in NYSE and NYSE Amex listed securities. • Perform analysis of trading activity to detect possible violation of rules, policies, and procedures. • Examine all related market data and reconstruct trading using various automated tools and other methods. • Conduct interviews and depositions of market participants and supervisory personnel. • Draft investigative memoranda detailing investigative findings and recommending appropriate disposition to management supported by factual evidence and legal analysis concerning informal disciplinary actions (e.g. cautionary letters and summary fines) and referrals to the Legal Section. • Support development of automated systems and surveillance. • Assist in conducting special studies and projects and in preparation of related reports. • Assist in responding to inquiries from the Securities and Exchange Commission. • Communicate with NYSE Euronext and NYSE Regulation staff regarding analysis of markets in NYSE and NYSE Amex listed securities. • Assist in interpreting related rules, policies, and procedures. • Communicate with members and member organizations concerning the interpretation of NYSE rules and requirements. • Assist in drafting internal policies and procedures and Information Memos to members and member organizations. • Make presentations regarding NYSE and NYSE Amex rules and regulations and surveillance systems. • Monitor the Trading Floor for potentially violative activity. • Respond to requests from members, Floor Officials, and NYSE Floor Operations on the applicability and interpretation of Floor trading rules and policies. • Promptly raise unusual activity (i.e., trading interruptions, system problems, etc.) to Division Management. Show less
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Education
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Vaughn College
Aviation Maintenance -
Borough of Manhattan Community College